Options Income Trader (Remote, Funded) Indianapolis, IN
Maverick Trading
Overview An options income trader at Maverick generates cash flow by selling premium in a defined-risk framework. This is not naked option selling, and it is not a martingale strategy that blows up on a single bad week. The role is built for traders who think in terms of probability, expected value, and management rules over individual directional bets. Location Indianapolis, IN: Indianapolis hosts a meaningful insurance and pharmaceutical industry — Eli Lilly is headquartered here, Anthem (now Elevance) has a major presence, and several large insurance carriers run national operations from the metro. Eastern Time alignment with the NYSE is convenient. Trade focus What you'll trade: Credit spreads on liquid US equities and ETFs, cash-secured puts on names the trader would be willing to own, and covered calls on equity positions held in the firm’s book. Trades are sized based on max-loss, not premium collected. Underlyings must clear liquidity screens — wide bid-ask spreads are an automatic disqualifier. Risk framework Risk framework: Premium‑selling looks profitable until it isn’t. Maverick’s risk framework caps max loss per spread, total notional exposure, and beta‑weighted portfolio delta. Tail‑risk events (8 sigma moves) are anticipated, not denied — we expect a few rough months a year and size so they don’t end careers. Why it matters Maverick funds this role because premium‑selling done right is one of the most consistent income strategies in markets — and one of the easiest to ruin with bad sizing. The 65–90% profit split applies to net P&L after the inevitable rough months. Candidate profile Traders who understand "probability of profit" is not the same as "expected return" People who can follow mechanical management rules without overriding them mid‑trade Candidates with a quantitative mindset — comfortable thinking in distributions Traders who don’t need every position to win to feel like the strategy is working #J-18808-Ljbffr
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